Betterware de México, S.A.P.I. de C.V.
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
0.32
Price/Sales ratio
0.03
Earnings per Share (EPS)
$40.12

Historical Multiples (2017 – 2023)

2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
31.9422.1814.0877.789.154.928.399.1343.46
Price/Sales ratio
4.572.862.153.191.590.370.670.592.39
Price/Book Value ratio
37.1182.7324.2225.1812.204.035.976.8318.69
Price/Cash Flow ratio
17.8019.6310.9812.6610.533.393.724.0111.60
Price/Free Cash Flow ratio
19.5620.9515.7220.7414.573.913.944.5917.65
Price/Earnings Growth ratio
N/A0.500.24-2.150.02-0.090.270.00-1.07
Dividend Yield
N/A3.54%5.15%3.57%8.73%22.10%7.36%13.64%4.36%
Profitability Indicator Ratios
Gross Profit Margin
61.50%58.62%58.47%54.67%56.18%68.16%71.54%71.77%56.57%
Operating Profit Margin
22.82%23.81%26.33%29.20%27.05%16.13%18.03%14.56%28.13%
Pretax Profit Margin
21.01%19.40%22.84%12.13%26.67%10.55%11.00%9.96%19.40%
Net Profit Margin
14.32%12.91%15.30%4.11%17.44%7.58%8.06%6.45%5.28%
Effective Tax Rate
31.82%33.41%33.01%61.59%31.93%39.62%26.85%35.24%46.76%
Return on Assets
16.13%20.53%26.38%6.76%32.52%7.66%9.46%8.15%7.45%
Return On Equity
116.16%372.85%172.01%32.37%133.32%81.89%71.16%61.84%47.10%
Return on Capital Employed
38.91%76.29%89.12%137.11%92.95%22.80%32.30%31.02%115.03%
Liquidity Ratios
Current Ratio
N/A0.991.001.01N/AN/AN/A1.061.00
Quick Ratio
0.940.580.600.560.890.710.510.500.73
Cash ratio
0.520.240.240.220.470.210.140.070.35
Days of Sales Outstanding
37.2531.3129.3036.9527.1037.3230.9133.7832.02
Days of Inventory outstanding
96.29115.0898.47141.30111.12210.46200.24235.98119.88
Operating Cycle
133.54146.40127.78178.25138.23247.79231.16269.77153.01
Days of Payables Outstanding
138.04169.55150.84230.53164.69146.41176.52223.56227.05
Cash Conversion Cycle
-4.49-23.15-23.06-52.28-26.45101.3754.6346.20-37.67
Debt Ratios
Debt Ratio
0.490.440.370.140.280.540.460.450.26
Debt Equity Ratio
3.568.142.460.681.145.773.474.181.57
Long-term Debt to Capitalization
0.760.870.650.360.530.840.750.780.51
Total Debt to Capitalization
0.780.890.710.400.530.850.770.800.55
Interest Coverage Ratio
N/A6.399.5026.42N/AN/AN/A2.8813.21
Cash Flow to Debt Ratio
0.580.510.892.901.000.200.460.401.95
Company Equity Multiplier
7.2018.166.524.784.0910.677.519.175.65
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.250.140.190.250.150.110.180.140.20
Free Cash Flow / Operating Cash Flow Ratio
0.900.930.690.610.720.860.940.870.65
Cash Flow Coverage Ratio
0.580.510.892.901.000.200.460.401.95
Short Term Coverage Ratio
8.063.724.0817.3054.115.494.653.2635.70
Dividend Payout Ratio
N/A78.56%72.63%278.10%79.92%108.83%61.81%107.08%179.01%